We are Recruiting for a leading firm to hire an experienced Manager/Senior Manager to join a high‑growth specialist team delivering advanced analytics, modelling, and assurance solutions to major banking and capital markets clients.
The Role
You will lead multiple client engagements, manage high‑performing teams, and oversee the delivery of analytical solutions across a broad range of projects including:
- Data analytics and assurance
- Financial modelling and model validation
- Regulatory reporting automation
- Data quality frameworks and controls
- Dashboarding and visualisation
- Process automation and transformation
- Risk, trading, lending, and revenue analytics
You will also play a key role in developing client relationships, contributing to business growth, and mentoring junior team members.
Key Responsibilities
- Manage a portfolio of financial services clients across banking and capital markets
- Lead delivery teams across multiple concurrent engagements
- Oversee analytics projects including data testing, modelling, reporting, automation, and visualisation
- Manage timelines, budgets, deliverables, and senior stakeholder relationships
- Support audit, assurance, risk, and regulatory programmes with advanced analytics solutions
- Develop new tools and innovative approaches to meet evolving client needs
- Mentor and develop junior analysts and consultants
- Contribute to proposals, internal initiatives, and thought leadership
Required Experience
- Experience within analytics, modelling, risk, or data teams in financial services or consulting
- Proven experience managing multiple projects and stakeholders simultaneously
- Strong understanding of banking products, markets, or lending portfolios
- Excellent communication and client‑facing skills
- Strong leadership capability with experience managing teams
Technical Skills
Strong experience in several of the following:
- SQL
- Python
- Excel / VBA
- R / SAS
- Data visualisation tools
- Process automation tools
- Capital Markets or Investment Banking exposure
- Regulatory reporting / BCBS239 / controls frameworks
- Loans, mortgages, derivatives, or treasury products knowledge
- Model validation or cashflow modelling experience
- Professional qualifications such as CFA, FRM, ACA, CIMA, CQF
#J-18808-Ljbffr